You can find our monthly returns for our publicly available investment vehicles. Performance is reported in US Dollars and net-of-fees. The returns of the individual portfolios within the composite are time-weighted, use trade date accounting, are based upon monthly portfolio valuations, and include the reinvestment of all earnings as of the payment date.

The composite returns are asset-weighted based upon beginning period market values.

The composite returns represent the total returns of all fully discretionary, fee-paying portfolios within the investment mandate. The composite returns presented represent past performance and is not a reliable indicator of future results, which may vary.